21
Board Rooms, June 11th, 1936
TREASURER'S
REPORT
The regular monthly meeting of the Foreign Mission Board was
held on Thursday, June 11th, with President Jenkins presiding.
The meeting was opened with prayer by Dr. J. L. Slaughter.
The following were presents Brethren Jenkins, Bryant, Montague
Slaughter, Matthews, Mrs. Atkinson, Mrs. Wicker and Mrs. Moore; also
Assistant Executive Secretary, Miss Ford and Treasurer Buxton.
It was moved and carried that the request of J. R. Saunders
-with reference to the printing of 5,000,000 Gospels of John and the
raising of funds therefor be referred to Dr. Rankin for his opinion be¬
fore the Board takes any action.
It was moved and carried that in compliance with the request
of the Woman's Missionary .Union -that the treasurer be authorized to open
two savings accqunts-J one in the First and Merchants National Bank and
the other in the State Planters Bank and Trust Company for the Lottie
Moon funds amounting to #6,000.00 now on hand awaiting appropriation.
It was moved and carried that the election of officers be
postponed until the October meeting.
Treasurer read his report which was adopted as follows:
Balance in banks at May 1st, 1936 . # 110,068.96
RECEIPTS :
Cooperative Program $
37,476.36
Designated
22,757.78
Lottie Moon Christmas Offering
476.65
Debt Account:
Designated $ 5,485,76
Proceeds from sale of property
in Mexico 4,942.40
Fron invested funds 74.75
10,502.91
Income from Securities
393.63
Legacies
21.66
Miscellaneous Income
57.60
Interest on Annuities
302.33
Annuities
2,000.00
W. E, Sallee Memorial Fund
169.50
Endowment Securities
585.00
Book Department - Sales and Collections
218.28
74,961.70
Total to Account For
• • • •
у
185,020.66
DISBURSEMENTS :
Foreign Fields #
67,105.60
Woman's Missionary Union
1,750.00
Baptist Brotherhood of the South
250.00
Book Department : -Purchases # 153.88
Expenses 236.08
389.96
Interest on borrowed money
5,049.65
Publicity
322.50
Traveling Expenses
580.54
General Expense
1,153.62
Pensions
566.82
Expenses Dr. Maddry to South America
1,226.55
Expenses Missionary Day in Sunday School
531.97
Administrative and Other Expenses
2,443.07
Reserve Lottie Moon Christmas Offering
105,00
Exchange checks
489.30
Annuities
82.28
Special Deposits - Debt Funds
10,922.04
Special Deposits - Investments Funds
469.50
93,438.40
# 91,582.26